Journal of Central Banking Theory and Practice
短名 | |
Journal Impact | 1.50 |
国际分区 | BUSINESS, FINANCE(Q3) |
ISSN | 1800-9581, 2336-9205 |
h-index | 15 |
涉及主题 | 经济业务财务宏观经济学货币经济学凯恩斯经济学计算机科学数学物理政治学法学哲学货币政策量子力学历史地理统计金融体系计量经济学语言学生物微观经济学市场经济考古天文 |
出版信息 | 出版商: de Gruyter,出版周期: ,期刊类型: journal |
基本数据 | 创刊年份: 2014,原创研究文献占比: 100.00%,自引率:64.70%, Gold OA占比: 100.00% |
平均审稿周期 | 网友分享经验:7 Weeks |
期刊引文格式
这些示例是对学术期刊文章的引用,以及它们应该如何出现在您的参考文献中。
并非所有期刊都按卷和期组织其已发表的文章,因此这些字段是可选的。有些电子期刊不提供页面范围,而是列出文章标识符。在这种情况下,使用文章标识符而不是页面范围是安全的。
只有1位作者的期刊
有2位作者的期刊
有3位作者的期刊
有5位以上作者的期刊
书籍引用格式
以下是创作和编辑的书籍的参考文献的示例。
学位论文引用格式
网页引用格式
这些示例是对网页的引用,以及它们应该如何出现在您的参考文献中。
专利引用格式
最新文章
The Quantity Theory of Money, Quantitative Easing and the Missing Inflation Phenomenon
2024-5-1
Social Responsibility of the Financial Sector in the Information and Network Economy: The Example of Systemically Important Banks in Ukraine and Comparison With Banks in Other Countries of the World
2024-5-1
Analysis of the Transparency Index of the Central Banks of the Western Balkan Countries
2024-5-1
The Side Effects of Macroprudential Policies on Economic Performance in the Arab Region
2024-5-1
Non-Ricardian Borrowers and Mortgage Type: Implications for Monetary Policy Leaning against the Wind
2024-5-1
Relationship Between Internet Banking Service Quality, e-Customer Satisfaction, and Loyalty: A Comparative Study of India and Pakistan
2024-5-1
Structural Breaks and Co-Movements of Bitcoin and Ethereum: Evidence from the COVID-19 Pandemic Period
2024-5-1
The Green Central Bank Index
2024-5-1
Volatility Spillover: Garch Analysis of S&P 500’s Influence on Precious Metals
2024-5-1
Liquid Asset Holdings and Banking Profitability: Evidence from South Asia
2024-5-1
Central Bank Digital Currency Adoption Challenges, Solutions, and a Sentiment Analysis
2024-1-1
Assessing the Banking Sector of Bosnia and Herzegovina: An Analysis of Financial Indicators through the MEREC and MARCOS Methods
2024-1-1
DLT Options for CBDC<sup>1</sup>
2024-1-1
Do Financial Markets Allow the Independence of Central Banks?
2024-1-1
Financial Fragility in Developing Countries: An Analysis in the Context of Monetary Policy and Central Bank Independence<sup>1</sup>
2024-1-1
Monetary Policy Between Stability and Growth
2024-1-1
Monetary Policy Press Releases of 24 Inflation Targeting Central Banks – A Comparison of their Key Features and Complexity
2024-1-1
A Refinement of the Relationship Between Central Bank Independence, Inflation, and Income Inequality in Developing Countries
2024-1-1
The Impact of Energy on Climate and Economic Stability: Forecast for Serbia
2024-1-1
Swiss National Bank: Is the Recent Loss a Threat to Monetary Policy? A Research Note<sup>1</sup>
2024-1-1
Raising Interest Rates for Improving Income
2023-9-1
Central Bank Independence: The Case of North African Central Banks
2023-9-1
Reputation Lasts Longer Than Life: How can Central Banks Quantify their Reputational Risk?
2023-9-1
Achieving Sustainable Economic Growth in Sub-Saharan African Countries Using the Tool of Monetary Policy Effectiveness
2023-9-1
Econometric VAR Analysis of the Effect of the Foreign Exchange Reserves on Macroeconomic Variables in Emerging Countries: The Case of BRIC Countries
2023-9-1
The Relationship Between Bank Concentration and Interest Rates
2023-9-1
Time Scales Based Analysis of the Effects of COVID-19 Related Economic Support on the Stock Markets in Emerging Markets
2023-9-1
The New Era of Capital Regulation Complexity
2023-9-1
The Effect of Monetary Policy on Income Inequality: Empirical Evidence from Asian and African Developing Economies
2023-9-1
Unusual Changes in the U.S. Treasury Security Market During the Fourth Round of Quantitative Easing
2023-9-1
Could the Issuance of CBDC Reduce the Likelihood of Banking Panic?<sup>1</sup>
2023-5-1
Can Credit Related Macroprudential Instruments Be Effective in Reducing the Correlation Between Economic and Credit Growth? Cross-Country Evidence
2023-5-1
Green Finance: Regulation and Instruments<sup>1</sup>
2023-5-1
Demand for Cash and its Determinants - a Post-Crisis Approach<sup>1</sup>
2023-5-1
Does the Effectiveness of Monetary Policy Depend on the Choice of Policy Instrument? Empirical Evidence from South Korea
2023-5-1
Does Central Bank Transparency Deter the Exchange Rate Volatility? New Evidence from Asian Emerging Markets
2023-5-1
Modeling which Factors Impact Interest Rates
2023-5-1
Importance of the Contingent Claims Analysis in Detecting Banking Risks: Evidence from the Greek Bank Crisis
2023-5-1
Project Management in Central Banks
2023-5-1
Does Credit Growth in the EMU Banking Sector Follow its Capital Adequacy?<sup>1</sup>
2023-5-1
Are Gold and Bitcoin a Safe Haven for European Indices?
2023-1-1
Revisiting of Interest Rate Channel: Nonlinear transmission of Monetary Policy Shocks to the Turkish Economy
2023-1-1
Customer Satisfaction and Switching Intentions of Banking Services End-Users in Montenegro
2023-1-1
Money Supply Determination Process for Japan
2023-1-1
Sustainability of the Currency Board in Bosnia and Herzegovina in the Conditions of a Negative Interest Rate on the Reserve Currency
2023-1-1
Bank Regulation in the Selected Sub-Saharan African Countries: Dynamics and Trends
2023-1-1
Resilience and Path Dependency: Income Distribution Effects of GDP in Colombia
2023-1-1
Does Monetary Policy Solely Correct Disequilibrium in the Balance of Payment? Evidence From the Developing World
2023-1-1
Does Fiscal Transparency Matter for Bank Development? A Lookup on Emerging and Developing Countries
2023-1-1
Testing the Factors that Determine the Profitability of Banks with a Dynamic Approach: Evidence from Turkey
2023-1-1
帮你贴心管理全部的文献
研飞ivySCI,高效的论文管理
投稿经验分享
分享我的经验,帮你走得更远